实训九日记账、明细账(略)、总账91日记张库存现金日记帐库存现金日记账月日凭证号数摘要借方贷方方向余额上年结转借7,600.001203记-0003出差预借差旅费6,000.00借1,600.001212记-0009报销差旅费321.60借1,278.401213记-0011残料收入清理费用9,040.00借10,318.401214记-0012残料收入存银行9,040.00借1,278.401223记-0020报销办公费790.00借488.401231本月合计9,040.0016,151.60借488.401231本年累计9,040.0016,151.60借488.40银行存款日记帐银行存款日记账月日凭证号数摘要借方贷方方向余额上年结转借613,000.001201记-0001购入电子零件,尚未入库90,400.00借522,600.001205记-0004销售产品670,994.00借1,193,594.001206记-0005支付电话费601.68借1,192,992.321208记-0006申请银行汇票320,016.00借872,976.321210记-0007交纳增值税60,000.00借812,976.321210记-0008购入电子生产设备26,200.00借839,176.321210记-0008购入电子生产设备8,720.00借830,456.321212记-0010银行汇票贴现59,256.00借889,712.321213记-0011支付清理费用4,240.00借885,472.321214记-0012现金交存银行9,040.00借894,512.321215记-0013取得生产经营借款500,000.00借1,394,512.321215记-0014交纳住房公积金45,664.00借1,348,848.321218记-0016支付广告费21,200.00借1,327,648.321221记-0017支付利息1,251.00借1,326,397.321221记-0017支付利息225.00借1,326,172.321221记-0018存款利息209.17借1,326,381.491222记-0019支付保险费7,886.00借1,318,495.491224记-0021收到租金5,650.00借1,324,145.491225记-0022发放工资172,673.80借1,151,471.691231记-0026支付并分配水费11,445.00借1,140,026.691231记-0027支付并分配电费18,080.00借1,121,946.691231本月合计1,271,349.17762,402.48借1,121,946.691231本年累计1,271,349.17762,402.48借1,121,946.6992明细账(略)93总账账户库存现金总账账月日凭证号数摘要借方贷方方向余额期初余额借7,600.001215汇总-0001自第1号——第15号凭证9,040.0015,361.60借1,278.401231汇总-0002自第16号——第37号凭证790借488.4012本月合计9,040.0016,151.60借488.40银行存款日记账月日凭证号数摘要借方贷方方向余额期初余额借613,000.001215汇总-0001自第1号——第15号凭证1,265,490.00529,641.68借1,348,848.321231汇总-0002自第16号——第37号凭证5,859.17232,760.80借1,121,946.6912本月合计1,271,349.17762,402.48借1,121,946.69(其他账户...